240
Książki
Oxford University Press
Managing Risk and Opportunity
Wydawnictwo:
Oxford University Press
Oprawa: Twarda
Opis
This book promotes good risk governance and risk management practices to corporate managers, executives, and directors wherever they operate around the world. The major corporate scandals have their roots in governance failure pointing to the link between risk governance and good performance outcomes. This topic is timely and of interest both to the academic community as well as to practicing managers, executives, and directors. The volume focuses on contemporary risk leadership issues based on recent research insights but avoids excessive technical language and mathematical formulas. The book is framed around the challenges imposed on executives and directors in dealing with an increasingly complex and unpredictable world. This requires a new risk leadership focus that not only avoids the downside risks but also considers ways to exploit the upside potential offered by a dynamic environment. The underlying logic is built on the principles of financial economics where benefits derive from reducing bankruptcy costs and increasing future cash inflows. This provides a stringent framework for analyzing the effect of different risk management actions and behaviors in effective risk-taking organizations. Hence, the book addresses the potential for upside gains as much as the threats of downside losses that represent the conventional risk perspectives. It states the simple fact that you must be willing to take risk to increase strategic responsiveness and corporate manoeuverability. The text builds the arguments in logical steps explicating relevant techniques and practices along the way that invite to immediate applications and practical thinkingPreface ; Introduction ; 1. Risk, Risk Management, and Risk Governance ; 2. Risk, Uncertainty, and Proactive Risk-Taking ; 3. Value Based Enterprise Risk Management Practices ; 4. Value Creation Through Risk Management ; 5. The Strategic Risk-Taking Organization ; Postscriptum ; Appendix 1: Good Risk Committee Practices ; Appendix 2: The Capital Asset Pricing Model (CAPM) ; Appendix 3: Assessing the Strategic Risk Governance Environment
Szczegóły
Tytuł
Managing Risk and Opportunity
Autor
Oliviero Roggi
, Maxine Garvey
, Torben Juul Andersen
Wydawnictwo
Rok wydania
2014
Oprawa
Twarda
Ilość stron
208
ISBN
9780199687855
EAN
9780199687855
Kraj produkcji
PL
Producent
GPSR Oxford University Press Espana S.A.
Avenida de Castilla, 2
28022 El Parque Empresarial San Fernando de Henares
PL
916602600
[email protected]
28022 El Parque Empresarial San Fernando de Henares
PL
916602600
[email protected]
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Managing Risk and Opportunity
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